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Alfavision Overseas (India)
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Alfavision Overseas Ltd., previously known as Alfavision Securities and Finance was incorporated as a Private Company on 2 Jun.'94 and was converted into a Public Company in Sep.'94. It changed its name in Oct.'98, consequent to its change in operations to trading, export and import. The company was promoted by V P Goyal and Suresh Mittal. The Company is engaged in Agriculture activity and trading of cotton seeds. Prior to this, it was engaged in lease and hire-purchase syndication, arranging bill discounting limits and bridge loan against public issue / rights issue, financial consultancy, preparation of feasibility reports, inter-corporate deposits and investments.
The company came out with a public issue in Jul.'95 to consolidate its capital base and further augment its long-term resources to meet the needs of expanding business of leasing heavy vehicles like trucks and of machinery used in the cotton processing, pharmaceutical, soya-based and oil-extraction industries and distilleries.
The Company was operating thru' its subsidiary, Alfavision Fibres Pvt. Ltd., which is no longer effective May 31, 2023.
Alfavision Overseas (India) share price reflects investor sentiment toward the company and is impacted by various factors such as financial performance, market trends, and economic conditions. Share price is an indicator which shows the current value of the company's shares at which buyers or sellers can transact.
Market capitalization of Alfavision Overseas (India) indicates the total value of its outstanding shares. Marketcap is calculated by multiplying share price and outstanding shares of the company. It is a helpful metric for assessing the company's size and market Valuation. It also helps investors understand how Alfavision Overseas (India) is valued compared to its competitors.
Alfavision Overseas (India) PE ratio helps investors understand what is the market value of each stock compared to Alfavision Overseas (India) 's earnings. A PE ratio higher than the average industry PE could indicate an overvaluation of the stock, whereas a lower PE compared to the average industry PE could indicate an undervaluation.
The PEG ratio of Alfavision Overseas (India) evaluates its PE ratio in relation to its growth rate. A PEG ratio of 1 indicates a fair value, a PEG ratio of less than 1 indicates undervaluation, and a PEG ratio of more than 1 indicates overvaluation.
Return on Equity (ROE) measures how effectively Alfavision Overseas (India) generates profit from shareholders' equity. A higher ROE of more than 20% indicates better financial performance in terms of profitability.
Return on Capital Employed (ROCE) evaluates the profitability of Alfavision Overseas (India) in relation to its capital employed. In simple terms, ROCE provides insight to investors as to how well the company is utilizing the capital deployed. A high ROCE of more than 20% shows that the business is making profitable use of its capital.
Total debt of Alfavision Overseas (India) shows how much the company owes to either banks or individual creditors. In simple terms, this is the amount the company has to repay. Total debt can be a very useful metric to show the financial health of the company. Total debt more than equity is considered to be a bad sign.
The Debt-to-Equity (DE) ratio of Alfavision Overseas (India) compares its total debt to shareholders' equity. A higher Debt to Equity ratio could indicate higher financial risk, while a lower ratio suggests that the company is managing its debt efficiently.
CAGR shows the consistent growth rate of Alfavision Overseas (India) over a specific period, whether it is over a month, a year, or 10 years. It is a key metric to evaluate the company’s long-term growth potential. Main metrics for which CAGR is calculated are net sales, net profit, operating profit, and stock returns.
Technical analysis of Alfavision Overseas (India) helps investors get an insight into when they can enter or exit the stock. Key components of Alfavision Overseas (India) Technical Analysis include:
There are usually multiple support levels, but the main support levels for a stock are S1, S2, S3. Support levels indicate price points where stock might get support from buyers, helping the stock stop falling and rise.
There are usually multiple resistance levels, but the main resistance levels for a stock are R1, R2, R3. Resistance levels represent price points where Alfavision Overseas (India) shares often struggle to rise above due to selling pressure.
Dividends refer to the portion of the company’s profits distributed to its shareholders. Dividends are typically paid out in cash and reflect Alfavision Overseas (India) ’s financial health and profitability.
Bonus shares are usually given by companies to make the stock more affordable, increase liquidity, boost investor confidence, and more.
Stock split increases the number of its outstanding shares by dividing each existing share into multiple shares. When the company offers a stock split, the face value of the stock reduces in the same proportion as the split ratio.
The financials of Alfavision Overseas (India) provide a complete view to investors about its net sales, net profit, operating profits, expenses, and overall financial health. Investors can analyze financial data to assess the company’s stability and also understand how the company has been growing financially.
The profit and loss statement of Alfavision Overseas (India) highlights its net sales, net profit, total expenditure, and operating profits in the current financial year. This Profit and Loss statement is crucial for evaluating the profitability and financial stability of Alfavision Overseas (India) .
The balance sheet presents a snapshot of Alfavision Overseas (India) ’s assets, liabilities, and equity of shareholders, providing insights into the financials of the company.
Cashflow statements track the company's cash inflows and outflows over a period. It is an essential tool for understanding how well the company manages its liquidity and finances.
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